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91.
Standard resulrs on the extrema of quotients of quadratic forms are extended to the non-negative definite case. The maximum and the set over which it is achieved are characterized explicitly both in terms of generalized inverse matrices and generalized eigenvalues. These results become the basis of Scheffe type multiple comparisons in the usual way. To demonstrate their application to statistics with singular covariance matrices, the method is detailed for Mantel-Haenszel, Breslow, and Cox statistics. An example is presented illustrating a situation where the proposed Scheffe type comparisons may be better than the pairwise method. 相似文献
92.
In the context of time-sequential studies, progressively censored tests for a simple regression model based on weighted empirical distributions are considered for ungrouped as well as grouped data situations. Early decision rules based on such tests are formulated. The asymptotic theory of the proposed tests rests on a construction of suitable empirical processes and their convergence (in distribution) to appropriate Gaussian functions. Critical values of the proposed test statistics are obtained by simulation, For a hypothetical example (of practical interest), a comparative study is made for the empirical powers and stopping times for some rival tests. 相似文献
93.
The smooth goodness of fit tests are generalized to singly censored data and applied to the problem of testing Weibull (or extreme value) fit. Smooth tests, Pearson-type tests, and the spacings tests proposed by Mann, Schemer, and Fertig (1973) are compared on the basis of local asymptotic relative efficiency with respect to the asymptotic best test against generalized gamma alternatives, The smooth test of order one Is found to be most efficient for the generalized gamma alternatives. 相似文献
94.
Environmental variables have an important effect on the reliability of many products such as coatings and polymeric composites. Long-term prediction of the performance or service life of such products must take into account the probabilistic/stochastic nature of the outdoor weather. In this article, we propose a time series modeling procedure to model the time series data of daily accumulated degradation. Daily accumulated degradation is the total amount of degradation accrued within one day and can be obtained by using a degradation rate model for the product and the weather data. The fitted model of the time series can then be used to estimate the future distribution of cumulative degradation over a period of time, and to compute reliability measures such as the probability of failure. The modeling technique and estimation method are illustrated using the degradation of a solar reflector material. We also provide a method to construct approximate confidence intervals for the probability of failure. 相似文献
95.
This paper addresses the largest and the smallest observations, at the times when a new record of either kind (upper or lower) occurs, which are it called the current upper and lower record, respectively. We examine the entropy properties of these statistics, especially the difference between entropy of upper and lower bounds of record coverage. The results are presented for some common parametric families of distributions. Several upper and lower bounds, in terms of the entropy of parent distribution, for the entropy of current records are obtained. It is shown that mutual information, as well as Kullback–Leibler distance between the endpoints of record coverage, Kullback–Leibler distance between data distribution, and current records, are all distribution-free. 相似文献
96.
The concept of inclusion probability proportional to size sampling plans excluding adjacent units separated by at most a distance of m (≥ 1) units {IPPSEA plans} is introduced. IPPSEA plans ensure that the first-order inclusion probabilities of units are proportional to size measures of the units, while the second-order inclusion probabilities are zero for pairs of adjacent units separated by a distance of m units or less. IPPSEA plans have been obtained by making use of binary, proper, and unequireplicated block designs and linear programing approach. The performance of IPPSEA plans using Horvitz–Thompson estimator of population total has been compared with existing sampling plans such as simple random sampling without replacement (SRSWOR), balanced sampling plans excluding adjacent units {BSA (m) plans}, probability proportional to size with replacement, Hartley and Rao's plan (1962), Rao et al.'s strategy (1962), and Sampford's IPPS plan (1967) using a real life population. Unbiased estimation of Horvitz–Thompson estimator of population total is not possible in these types of plans because some of the second-order inclusion probabilities are zero. To resolve this problem, one approximate variance estimation technique has been suggested. 相似文献
97.
We propose a new method to estimate the cumulative hazard function and the corresponding distribution function of survival times under randomly left-truncated and right-censored observations (LTRC). The new estimators are based on presmoothing ideas, the estimation of the conditional expectation m of the censoring indicator. An almost sure representation for both estimators is established, from which a strong consistency rate and asymptotic normality are derived. It is shown that the presmoothed modification leads to a gain in terms of asymptotic mean squared error. This efficiency with respect to the classical estimators is also shown in a simulation study. Finally, an application to a real data set is provided. 相似文献
98.
J. Rodríguez Avi M. J. Olmo Jiménez A. Conde Sánchez A. J. Sáez Castillo 《统计学通讯:理论与方法》2013,42(19):3009-3022
A new discrete family of probability distributions that are generated by the 3 F 2 function with complex parameters is presented. Some of the properties of this new family are studied as well as methods of estimation for its parameters. It affords considerable flexibility of shape which turns the distribution into an appropriate candidate for modeling data that cannot be adequately fitted by classical families with fewer parameters. Finally, three examples in the fields of Agriculture and Education are included in order to show the versatility and utility of this distribution. 相似文献
99.
Brent D. Burch 《统计学通讯:理论与方法》2013,42(20):3264-3275
The conventional confidence interval for the intraclass correlation coefficient assumes equal-tail probabilities. In general, the equal-tail probability interval is biased and other interval procedures should be considered. Unbiased confidence intervals for the intraclass correlation coefficient are readily available. The equal-tail probability and unbiased intervals have exact coverage as they are constructed using the pivotal quantity method. In this article, confidence intervals for the intraclass correlation coefficient are built using balanced and unbalanced one-way random effects models. The expected length of confidence intervals serves as a tool to compare the two procedures. The unbiased confidence interval outperforms the equal-tail probability interval if the intraclass correlation coefficient is small and the equal-tail probability interval outperforms the unbiased interval if the intraclass correlation coefficient is large. 相似文献
100.
The Bates–Watts relative curvature measure can assess the validity of the linearized approximation in nonlinear regression models. However, it is developed based on an ordinary nonlinear regression in which the observation is assumed to be homoscedastically and normally distributed. In this article, we extend the original Bates–Watts relative curvature measure to one that can be applicable to nonlinear regression with heteroscedastic or non normal data, based on the transformation-both-sides (TBS) approach. In pharmacokinetic models, a diagnostic use of their measures is illustrated. By means of a simulation experiment, the performance of the relative curvature measure for the TBS approach is evaluated. 相似文献